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IMPAX ASSET MANAGEMENT

IMPAX ASSET MANAGEMENT is a Series C+ and other fund in global investing in Climate, resource-efficiency, demographics, pollution, water and new-energy.

Stages
Series C+, other
Sectors
Climate, resource-efficiency, demographics, pollution, water, new-energy
Invests in
global
Actively investing
Yes
Founded
1998
Assets under management
£37.2B

Check size not disclosed

Thesis

Their investment thesis posits that global capital markets will be significantly reshaped by sustainability challenges, creating opportunities for adaptive companies and risks for those that do not. The firm invests across multiple asset classes, including equity, fixed income, and private markets, employing a Growth at a Reasonable Price (GARP) bottom-up stock selection process. This strategy filters the global investment universe to identify companies with substantial revenue exposure to environmental markets or those addressing long-term secular growth trends, such as climate change, pollution, changing demographics, and resource efficiency. Their investment process integrates qualitative business assessments, quantitative financial metrics, and a proprietary 10-Step Analysis with an ESG framework. Impax operates globally with offices in London, New York, Portsmouth (NH), Dublin, Hong Kong, Tokyo, Denmark, and Frankfurt. As of December 31, 2025, AUM was approximately £24.2 billion, though AUM has fluctuated, reaching £37.2 billion in September 2024. Specific fund sizes mentioned include Impax New Energy Investors II closing at €330 million in August 2011 and a fourth private markets infrastructure fund raising €459 million in H1 2024. Information on typical check sizes per investment is not readily available.

Common questions

Does IMPAX ASSET MANAGEMENT invest at the Series C+ stage?

Yes. IMPAX ASSET MANAGEMENT lists Series C+ and other among the stages it invests in.

Where does IMPAX ASSET MANAGEMENT invest?

IMPAX ASSET MANAGEMENT invests in global.

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